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第一条为保护投资者的合法权益,根据《公司法》和《证券法》等法规的有关规定,制定本规则。第二条上市公司连续三年发生亏损,其股票应当暂停上市。本所处理暂停上市有关事项的程序如下:1.上市公司在年度决算工作结束后,如公司连续三年亏损已成事实,公司董事会应在披露年报前至少发布三次警示性公告,提醒投资者注意投资风险。2.公司董事会应在收到年度审计报告后2个工作日内,向本所和中国证监会报告。
Article 1 To protect the legitimate rights and interests of investors, these Rules are formulated in accordance with the relevant provisions of the Company Law and the Securities Law and other laws and regulations. Article 2 Where a listed company makes a loss for three consecutive years, its shares shall be suspended from listing. The procedures for the suspension of the listing of the Matters to be listed by the Exchange are as follows: 1. After the Company finishes its annual accounts, if the Company’s losses for three consecutive years become a fact, the board of directors of the Company shall publish at least three warning bulletins before the disclosure of the annual report to remind investors investment risk. 2. The board of directors of the company shall report to the Stock Exchange and the CSRC within 2 working days after receiving the annual audit report.